AMERICAN BEACON BALANCED FUND INSTITUTIONAL CLASS(AADBX) USD 13.47
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202210.37%USD 1.397USD1.21732022-12-22
USD0.07072022-10-03
USD0.062022-07-01
USD0.04912022-04-01
202110.94%USD 1.474USD1.22872021-12-22
USD0.13752021-10-01
USD0.05062021-07-01
USD0.05682021-04-01
202014.44%USD 1.944USD1.70722020-12-22
USD0.11852020-10-01
USD0.04552020-07-01
USD0.07322020-04-01
201910.57%USD 1.424USD1.1672019-12-20
USD0.08322019-10-01
USD0.08812019-07-01
USD0.08592019-04-01
201810.12%USD 1.363USD1.12482018-12-20
USD0.082018-10-01
USD0.08312018-07-02
USD0.07532018-04-02
20179.75%USD 1.314USD1.03662017-12-21
USD0.06992017-10-02
USD0.08092017-07-03
USD0.12652017-04-03
20162.24%USD 0.302USD0.07822016-12-22
USD0.06752016-10-03
USD0.07982016-07-01
USD0.07642016-04-01
20157.41%USD 0.998USD0.77432015-12-22
USD0.07342015-10-01
USD0.07582015-07-01
USD0.07462015-04-01
20143.96%USD 0.534USD0.14992014-12-22
USD0.15212014-10-01
USD0.08062014-07-01
USD0.15112014-04-01
20138.50%USD 1.144USD0.84622013-12-20
USD0.07622013-10-01
USD0.07092013-07-01
USD0.15112013-04-01
20124.51%USD 0.607USD0.30842012-12-20
USD0.09422012-10-01
USD0.05182012-07-02
USD0.15282012-04-02
20112.45%USD 0.331USD0.0192011-12-22
USD0.08362011-10-03
USD0.08572011-07-01
USD0.14232011-04-01
20102.56%USD 0.345USD0.0312010-12-22
USD0.31382010-10-01
20092.53%USD 0.341USD0.34132009-12-22
20083.55%USD 0.478USD0.4782008-12-23
20079.18%USD 1.236USD1.2362007-12-21
20068.48%USD 1.142USD1.1422006-12-22
20058.20%USD 1.105USD1.10462005-12-22
20045.84%USD 0.786USD0.78642004-12-22
20032.44%USD 0.328USD0.32842003-12-22
20020.95%USD 0.128USD0.12832002-12-20
20013.91%USD 0.527USD0.52662001-12-20
20005.04%USD 0.679USD0.6792000-12-21